投资组合管理中的资金分配管理永远都是最重要的话题之一,也是非常难解决的问题。对于期权交易账户就更是如此。那么如果我们有了更多的资金可以使用,在现有的投资组合之上我们应该如何有有效的追加仓位呢?我们应该在原有的策略之上按比例增加合约数量么?还是我们可以想办法改变策略本身?这期节目曾凯就来给大家介绍有效的加仓的一些方法 更多信息: info.tastytrade.com/cn
Capital management is always an essential topic in portfolio management. It is also a complex problem that every trader needs to solve, especially options traders. So how to scale up effectively? Should we increase the number of contracts based on our current portfolio? Or should we try to change the strategies we use? In this episode, Kai introduces how to use our additional capital effectively.